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Board approves March payroll, claims and cash-flow report totaling more than $257,000
Summary
The board approved March payroll of $173,461.35 and accounts payable of $83,668.39 and reviewed the April 2025 budget update; motions carried by unanimous voice votes.
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The Board of Education of Independent School District No. 698 approved the March monthly claims and cash-flow report in a motion moved by Tanya Johnson and seconded by Corinne Suonvieri. The minutes record payroll totaling $173,461.35 and accounts payable (AP) totaling $83,668.39; the motion carried by unanimous voice vote.
Board members also reviewed the April 2025 budget update during the meeting. No roll-call tally was recorded in the minutes for the voice votes; the minutes show motions carried by unanimous voice vote but do not specify numeric vote counts.
